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European Sovereign Debt Crisis and its impact on financial markets and institutions

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  1. How the European Sovereign Debt crisis commenced and explain the main causes
  2. Its impact on the bond market and its implications for two other markets
  3. Its impact on financial institutions such as commercial banks, securities firms, etc
  4. The effectiveness of policies and measures taken so far by policy makers and financial institutions

The European Sovereign Debt Crisis of was basically the failure of the Euro which was the monetary symbol that tied together 17 Countries across Europe (Arezki et. al, 2011). This therefore means that the start of all these is retraced back to the second world war in 1945. At this time Europe was the worst causality of the war owing to the fact that most of the countries felt the consequence of the war. In an effort to forge a united front therefore Europe hoped that they could be able to emulate the United States of America by coming together to do business and forging a united front without absolutely letting go of their sovereignty.

[...] (2012). "The Greek Financial Crisis: Growing Imbalances and Sovereign Spreads." Journal of International Money and Finance 498-51 Kaminsky, G. & Schmuckler, S.L. (2002). ?Emerging Markets Instability: Do Sovereign Ratings Affect Country Risk and Stock Returns?, World Bank Economic Review, 16:2, pp. 171-195. Lane (2012). European Sovereign Debt Crisis? The Journal of Economic Perspectives, Vol. pp. 49-67. Manganelli, S., & Wolswijk, G., (2009). [...]


[...] What drives spreads in the euro area government bond market? Economic Policy 24, 191?240. Mora, N. (2006). ?Sovereign credit ratings: guilty beyond reasonable Journal of Banking and Finance pp. 2041?2062. Oliveira, L., Curto, J.D., Nunes, J.P., (2012). The determinants of sovereign credit spread changes in the Euro-zone. Journal of International Financial Markets, Institutions and Money 22, 278?304. Romer K. (2012). [...]


[...] Stocks, Bonds, Money Markets and Exchange Rates: Measuring International Financial Transmission?, Journal of Applied Econometrics. Fang, W. & Miller, S. (2002), ?Dynamic Effects of Currency Depreciation on Stock Market Returns during the Asian Financial Crisis,? unpublished, Feng Chai University, Taiwan. Favero, C., Pagano, M., von Thadden, E.-L., (2010). How does liquidity affect government bond yields? Journal of Financial and Quantitative Analysis 45, 107?134. Gande, A. & Parsley, D. C. (2005). [...]


[...] ?Fiscal Policy in the Crisis: Lessons and Policy Implications? Berkeley WP. White, L. J. (2010). "Markets: The Credit Rating Agencies." Journal of Economic Perspectives, 211?26. [...]


[...] European Sovereign Debt Crisis and its impact on financial markets and institutions Describe briefly how the European Sovereign Debt crisis commenced and explain the main causes. The European Sovereign Debt Crisis of was basically the failure of the Euro which was the monetary symbol that tied together 17 Countries across Europe (Arezki et. al, 2011). This therefore means that the start of all these is retraced back to the second world war in 1945. At this time Europe was the worst causality of the war owing to the fact that most of the countries felt the consequence of the war. [...]

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